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持有 亚太转债(128023)的基金
序号 基金代码 基金简称 债券市值(元) 占基金净值比例(%)
1009512天弘添利债券(LOF)E27,059,464.282.01
2164206天弘添利债券(LOF)C27,059,464.282.01
3002351易方达裕祥回报债券26,758,536.960.17
4002600易方达裕景添利6个月定期开放债券19,472,928.160.42
5001444易方达瑞选混合E13,382,398.201.20
6001443易方达瑞选混合I13,382,398.201.20
7008008易方达稳健收益债券C11,721,275.600.05
8110008易方达稳健收益债券B11,721,275.600.05
9110007易方达稳健收益债券A11,721,275.600.05
10420002天弘永利债券A9,526,583.160.52
11009610天弘永利债券C9,526,583.160.52
12420102天弘永利债券B9,526,583.160.52
13002794天弘永利债券E9,526,583.160.52
14001314易方达新益混合I9,071,351.161.19
15001315易方达新益混合E9,071,351.161.19
16001748易方达瑞祺混合E5,778,885.721.69
17001747易方达瑞祺混合I5,778,885.721.69
18004821国寿安保安吉纯债半年定开债券发起式3,642,425.040.07
19002458国泰民利策略收益灵活配置混合1,829,558.440.55
20002062国泰国策驱动灵活配置混合C1,751,030.920.33
21000511国泰国策驱动灵活配置混合A1,751,030.920.33
22006723天弘穗利一年定开债券C1,369,489.601.18
23006722天弘穗利一年定开债券A1,369,489.601.18
24000954国泰睿吉灵活配置混合C1,351,470.000.26
25000953国泰睿吉灵活配置混合A1,351,470.000.26
26002147长安鑫益增强混合C1,273,606.360.04
27002146长安鑫益增强混合A1,273,606.360.04
28002489国泰民福策略价值混合1,258,811.320.30
29001182易方达安心回馈混合1,251,982.840.09
30003840易方达瑞通混合C1,046,180.040.12
31003839易方达瑞通混合A1,046,180.040.12
32003134易方达裕鑫债券C957,978.840.80
33003133易方达裕鑫债券A957,978.840.80
34006899天弘弘丰增强回报债券C907,618.801.81
35006898天弘弘丰增强回报债券A907,618.801.81
36005886华夏鼎沛债券A608,872.800.02
37005887华夏鼎沛债券C608,872.800.02
38009308天弘安康颐养混合C433,798.160.05
39420009天弘安康颐养混合A433,798.160.05
40008403中泰中证可转债及可交债指数C409,329.440.16
41008402中泰中证可转债及可交债指数A409,329.440.16
42400029东方双债添利债券C379,360.000.03
43400027东方双债添利债券A379,360.000.03
44161115易方达岁丰添利债券(LOF)348,442.160.30
45000244天弘稳利定期开放债券A188,067.720.11
46000245天弘稳利定期开放债券B188,067.720.11
47003962易方达瑞程混合C169,763.600.06
48003961易方达瑞程混合A169,763.600.06
49002061国泰安康定期支付混合C165,495.800.04
50000367国泰安康定期支付混合A165,495.800.04
51161826银华中证转债指数增强分级103,375.600.13
52150144银华中证转债指数增强分级B103,375.600.13
53150143银华中证转债指数增强分级A103,375.600.13
54150164东吴中证可转换债券指数分级A47,420.000.27
55150165东吴中证可转换债券指数分级B47,420.000.27
56165809东吴中证可转债指数47,420.000.27
57519690交银稳健配置混合A2,465.840.00